Resume · Stablecoin & Payments Strategy
Strategy for stablecoins, tokenized money, reserve design, and payment infrastructure.
For stablecoin issuers, tokenized-fund teams, payments platforms, and product roles translating reserves, redemption, routing, and controls into durable operating decisions.
Decision lens
Translates policy and infrastructure constraints into product decisions, go-live standards, and stress-case operating gates: what must be true before launch, what can block redemption, and what should change the rollout plan. 100+ tokenization engagements across stablecoin issuers, tokenized RWAs, and lending platforms, focused on reserves, redemption, settlement, and routing.
What the operator lens answers
Focus areas
Stablecoin strategy
Payments operations
Reserves and redemption
Go-live readiness
- Advised on 100+ tokenization engagements across stablecoin issuers, tokenized RWAs, and lending platforms: reserves, redemption, settlement, and the control layer that determines whether funds can actually move.
- Turns regulatory change into practical product decisions around routing, holds, disclosures, and where operational responsibility sits.
- Identifies where product architecture breaks before market stress or supervisory attention exposes it.
Can the product move money cleanly when it matters most?
Reserve location, custody dependencies, redemption logic, and what happens when users need to move between providers, banks, gateway operators, or chains under stress.
Where does operational control actually sit?
Routing defaults, holds, application-layer obligations, partner dependencies, and which team or outside institution ultimately owns failure handling.
What should change the launch plan?
The thresholds that should trigger redesign, slower rollout, stronger controls, or tighter reserve and reporting standards before a product scales into avoidable operational risk.
Supporting research
These papers are the closest match for how the operator lens frames product, routing, and operating-control questions.
Routing the Dollar
Three years of on-chain data across 19 gateway entities and 51 monitored addresses; routing and holds, not only reserve mix, show where operational control sits.
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The Control Layer War
An unpublished internal document on how rules, holds, reporting, and control obligations show up in operations. A public version is available.
Minimum Viable Equivalence Packs
Nine-category diligence framework structured around what risk committees actually ask.
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Contact
Stablecoin strategy, payments operations, or product go-live readiness. Tell me what you're building and I'll send the most relevant paper, resume version, or supporting material.